Takamiya Co., Ltd.

TSE:2445.T

440 (JPY) • At close September 19, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) JPY.

20232022202120202019201820172016201520142013201220112010200920082007
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 7,4618,2968,8368,032.4227,242.6385,734.1845,150.165,587.9094,642.5134,680.0474,420.2713,521.5623,541.383,340.8242,049.0841,972.0221,527.196
Kortetermijnbeleggingen 325-2,156-2,084-1,961.102-1,890.237-1,830.516-675.149400400-117.031-62.0560-2.634-4.754-10.378-14.68-12.8
Liquide middelen en kortetermijnbeleggingen 7,7868,2968,8368,032.4227,242.6385,734.1845,150.165,587.9094,642.5134,680.0474,420.2713,521.5623,541.383,340.8242,049.0841,972.0221,527.196
Nettovorderingen 11,69911,45210,83411,675.1814,101.17611,401.49,712.62210,337.829,553.1498,464.8498,073.9737,724.7256,507.7325,034.8613,915.7764,295.0914,800.774
Voorraad 8,9638,1836,5795,102.564,717.7645,137.3724,704.174,200.6874,903.6644,700.6263,068.2922,272.0621,980.0041,937.85624.761549.987351.604
Overige vlottende activa 69,24049943297.508347.105508.634569.194430.828670.316368.313329.541206.88173.35482.56848.732-74.593114
Totaal vlottende activa 29,07328,43026,68124,907.6726,408.68322,781.5920,136.14620,557.24419,769.64218,213.83515,892.07713,725.22912,202.4710,396.1036,638.3536,742.5076,793.574
Niet-vlottende activa:
Materiële vaste activa, netto 35,86730,29228,32927,480.45828,799.32327,628.35628,966.71428,722.16727,051.45421,306.6217,213.78917,707.117,869.62816,774.70916,315.12216,176.74214,886.71
Goodwill -97000159.124212.741344.792110.95156.60425.87427.25849.771136.47494.796000
Immateriële activa 709746787826.255780.734607.099509.281528.712584.682698.734703.65732.856723.233723.797738.512702.212652.051
Goodwill en immateriële activa 907746787826.255939.858819.84854.073639.662741.286724.608730.908782.627859.707818.593738.512702.212652.051
Langetermijnbeleggingen 2,6822,5352,5162,4662,3352,2851,164.811505.561383.2951,434.4111,371.583809.161725.676535.67581.297423.57468.937
Belastingvorderingen 69,240745766774.723799.903899.404755.189799.448519.513326.652138.38164.594133.26496.954109.859198.78576.198
Overige niet-vlottende activa -68,827-2-2-0.261-0.2320.065936.6551,536.411,626.3191,514.7271,898.377799.187681.588972.794900.144714.457682.352
Totaal niet-vlottende activa 39,86934,31632,39631,547.17532,873.85231,632.66532,677.44232,203.24830,321.86725,307.01821,353.03720,262.66920,269.86319,198.7218,644.93418,215.76616,766.248
Totaal activa 11,57462,74959,08156,454.84859,282.53754,414.25852,813.58952,760.49350,091.50943,520.85337,245.11433,987.89832,472.33329,594.82325,283.28724,958.27323,559.822
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 6,7467,0106,9405,668.6376,427.1785,711.2625,349.5875,971.6646,110.1515,934.7335,975.0724,939.8723,946.9752,984.2011,637.761,463.2751,519.075
Kortlopende schulden 22,06111,44210,18111,371.29612,127.9611,121.50512,776.04811,432.08111,970.339,085.4436,741.3086,891.9546,284.8896,3686,425.8426,624.0126,544.072
Belastingschulden 922392440353.758766.52763.642355.33776.202796.92812.19892.264573.932624.802227.62184.606152.965709.21
Uitgestelde opbrengsten 27968777649.931,071.2841,006.118544.2341,005.8041,059.0051,047.2161,125.74753.995789.19351.8170.002257.355823.38
Overige kortlopende verplichtingen -28,5392,4582,1371,864.482,104.0212,464.072,322.0092,196.5952,225.8852,003.1371,514.1791,531.9131,330.1871,041.314975.465901.2271,077.868
Totaal kortlopende verplichtingen 29521,87820,03519,554.34321,730.44320,302.95520,991.87820,606.14421,365.37118,070.52915,356.29914,117.73412,351.24110,745.3159,209.0699,245.8699,964.395
Langlopende verplichtingen:
Langetermijnschulden 21,22517,20617,07715,777.90816,799.73117,173.57915,440.27516,370.97413,805.81512,045.52610,659.32911,175.82212,160.30611,485.9029,229.1659,332.977,289.363
Uitgestelde opbrengsten niet-vlottend 47,08711039,74437,685.96740,784.72939,838.56739,261.47240,060.785800.318697.859632.866583.359535.012590.514355.95200
Uitgestelde belastingverplichtingen niet-vlottend 5252789051,145.4261,377.246967.697967.697354.5023.053127.026138.2250.94696.761173.543118.28400
Overige niet-vlottende verplichtingen -44,4712,757-38,015-36,477.673-39,907.417-38,444.233-37,399.848-37,331.6162,019.035817.35699.839949.952948.352860.926691.029836.185885.037
Totaal niet-vlottende verplichtingen 24,36620,35119,71118,131.62819,054.28919,535.6118,269.59619,454.64516,628.22113,687.76112,130.25412,760.07913,740.43113,110.88510,394.4310,169.1558,174.4
Totaal passiva 1,05242,22939,74637,685.97140,784.73239,838.56539,261.47440,060.78937,993.59231,758.2927,486.55326,877.81326,091.67223,856.219,603.49919,415.02418,138.795
Eigen vermogen:
Preferente aandelen 17,88819,47218,66415,392.37315,186.82513,395.33212,229.06311,425.631000000000
Gewone aandelen 1,1061,0521,0521,050.1141,050.114732.13506.045714.77714.77704.445679.75679.75679.75679.75679.75679.75679.75
Ingehouden winsten 21,95616,51415,70515,392.37315,186.82513,395.33212,229.06311,425.63110,344.5158,754.9057,025.4055,582.8294,989.9474,463.4964,378.0834,257.2953,965.283
Overige gereserveerde algehele resultaten 22,157854492263.386218.372346.49213,552.11512,699.704444.52998877125400000
Overige totale aandeelhoudersvermogen 6,137-17,566-16,757-13,487.166-13,281.617-13,402.289-25,057.991-23,656.189505.7911,188.261,163.984492.626622.246505.188530.046501.394694.127
Totaal eigen vermogen van aandeelhouders 69,24420,32619,15618,611.0818,360.51914,466.99713,458.29512,609.54712,009.60511,635.619,640.1397,009.2056,291.9435,648.4345,587.8795,438.4395,339.16
Totaal eigen vermogen 95,61820,52019,33518,768.87718,497.80514,575.69313,552.11212,699.70412,097.91711,762.5639,758.5617,110.0856,380.6615,738.6235,679.7885,543.2495,421.027
Totaal passiva en aandeelhoudersvermogen 34,16062,74959,08156,454.84859,282.53754,414.25852,719.76952,760.49350,091.50943,520.85337,245.11433,987.89832,472.33329,594.82325,283.28724,958.27323,559.822